Description
Key Responsibilities
● Prepare daily bank & cash reconciliation journal entries. ● Prepare monthly reconciliation for the accounts detailing the general ledger balances, research discrepancies, and prepare adjusting transactions necessary to make corrections to appropriate accounting records. ● Provide support to agency and head office with reconciliation along with their queries ● Prepare commission calculations, freight tax calculation and post journals ● Prepare and input other adjusting, monthly, recurring journal entries ● Arrange and support in audit both inter & external and in matters of compliance ● Maintenance of various accounting areas • Fixed Assets • Prepayment schedules • Other accounting schedules ● Closing ledgers and reporting the trial balance for consolidation. ● Prepare monthly reports – Withholding tax and ICP reports ● Provide research and problem solving support for other accounting teams and business.
Experience-
Executive 2+ years (preferably 4 years) of responsible accounting experience; reconciliation experience with mid to large size organization, outsourcing & share services experience preferred. Sr. Executive 4+ years (preferably 6 years) of increasingly responsible accounting experience; reconciliation experience including eye for detail with mid to large size organization, outsourcing & share services experience preferred.
Job Type: Full-time
Salary: ₹500,000.00 - ₹700,000.00 per year
Schedule:
Monday to Friday
Night shift
Work Location: One location